2024-11-012025-10-3131 October 2025Dameliz LLPOC424630falseS.M Elizabeth on behalf of DAMELIZ COMMERCE LTD.31 July 202631 July 2026The principal activity of the company continued to be pharmaceutical supplies.C/O Shipra Berera, 202,Highbury Stadium SquareLondon, EnglandN5 1FD00Ajaccts Software3.1.0 betaOC424630bus:FilletedAccounts2024-11-012025-10-31OC424630bus:FRS1022024-11-012025-10-31OC424630bus:LimitedLiabilityPartnershipLLP2024-11-012025-10-31OC424630bus:AuditExempt-NoAccountantsReport2024-11-012025-10-31OC424630core:PlantMachinery2024-10-31OC424630core:InvestmentPropertyIncludedWithinPPE2024-10-31OC424630core:LandBuildings2024-10-31OC424630core:FurnitureFittingsToolsEquipment2024-10-31OC424630core:Vehicles2024-10-31OC424630core:ComputerEquipment2024-10-31OC424630core:PlantMachinery2025-10-31OC424630core:InvestmentPropertyIncludedWithinPPE2025-10-31OC424630core:LandBuildings2025-10-31OC424630core:FurnitureFittingsToolsEquipment2025-10-31OC424630core:Vehicles2025-10-31OC424630core:ComputerEquipment2025-10-31OC4246302023-11-01OC424630core:DevelopmentCostsPatentsSimilar2024-11-012025-10-31OC424630core:DevelopmentCostsPatentsSimilar2025-10-31OC424630core:DevelopmentCostsPatentsSimilar2024-10-31OC424630core:DividendsProposed2024-11-012025-10-31OC424630core:DividendsProposed2023-11-012024-10-31OC424630core:LandBuildings2023-11-012024-10-31OC424630core:PlantMachinery2023-11-012024-10-31OC424630core:FurnitureFittingsToolsEquipment2023-11-012024-10-31OC424630core:Vehicles2023-11-012024-10-31OC424630core:ComputerEquipment2023-11-012024-10-31OC424630core:InvestmentPropertyIncludedWithinPPE2024-11-012025-10-31OC424630core:LandBuildings2024-11-012025-10-31OC424630core:PlantMachinery2024-11-012025-10-31OC424630core:FurnitureFittingsToolsEquipment2024-11-012025-10-31OC424630core:Vehicles2024-11-012025-10-31OC424630core:ComputerEquipment2024-11-012025-10-31OC424630core:ComputerEquipment2023-11-01OC424630core:ComputerEquipment2024-11-01OC4246302024-10-31OC424630bus:Consolidated2024-10-31OC4246302025-10-31OC424630bus:Consolidated2025-10-31OC4246302023-11-012024-10-31OC424630bus:Consolidated2023-11-012024-10-31OC4246302024-11-012025-10-31OC424630bus:Consolidated2024-11-012025-10-31OC424630bus:CompanySecretaryDirector12024-11-012025-10-31OC424630bus:Director12024-11-012025-10-31OC424630bus:Director22024-11-012025-10-31OC424630bus:Director32024-11-012025-10-31OC424630bus:Director42024-11-012025-10-31OC424630bus:Director52024-11-012025-10-31OC424630bus:Director62024-11-012025-10-31OC424630bus:Director72024-11-012025-10-31OC424630bus:Director82024-11-012025-10-31OC424630bus:Director92024-11-012025-10-31OC424630bus:Director102024-11-012025-10-31OC424630bus:Director112024-11-012025-10-31OC424630bus:Director122024-11-012025-10-31OC424630bus:Director132024-11-012025-10-31OC424630bus:Director142024-11-012025-10-31OC424630bus:Director152024-11-012025-10-31OC424630bus:Director162024-11-012025-10-31OC424630bus:Director172024-11-012025-10-31OC424630bus:Director182024-11-012025-10-31OC424630bus:Director192024-11-012025-10-31OC424630bus:Director202024-11-012025-10-31OC4246302024-11-012025-10-31OC424630bus:CompanySecretaryDirector12025-10-31OC424630bus:Director12025-10-31OC424630bus:Director22025-10-31OC424630bus:CompanySecretaryDirector12024-11-012025-10-31OC424630bus:Director12024-11-012025-10-31OC424630bus:Director22024-11-012025-10-31OC4246302024-11-012025-10-31OC424630bus:CompanySecretaryDirector12024-10-31OC424630bus:Director12024-10-31OC424630bus:Director22024-10-31OC424630bus:EntityAccountantsOrAuditors2024-11-012025-10-31OC424630bus:EntityAccountantsOrAuditors2024-11-012025-10-31OC424630bus:EntityAccountantsOrAuditors2025-10-31OC424630bus:RegisteredOffice2024-11-012025-10-31OC424630bus:EntityBankers2024-11-012025-10-31OC424630bus:EntityLawyersOrLegalAdvisers2024-11-012025-10-31xbrli:pureiso4217:GBPxbrli:shares
Filleted Unaudited Financial Statements
for
Dameliz LLP
Statement of Financial Position
at 31 October 2025
Note20252024
££
Fixed Assets
Intangible assets20,84016,682
Tangible assets5--
Investments--
20,84016,682
Current assets
Stocks--
Debtors3562,532842,163
Cash at bank and in hand89,68384,594
652,215926,757
Creditors: amounts falling due within one year4(-)(-)
Net current assets652,215926,757
Total assets less current liabilities673,055943,439
Creditors: amounts falling due after more than one year(-)(-)
Net Assets673,055943,439
Members' Interests
Capital Accounts1,0001,000
Profit and Loss account672,055942,439
Total Equity673,055943,439
Statement of Accordance with Small Companies regime, and Audit not required
The LLP members confirm that financial statements have been prepared in accordance with the provisions applicable to entities subject to the small LLP regime and in accordance with the provisions of FRS 102 Section 1A - small entities.
The LLP members confirm that the LLP is entitled to exemption from audit under Section 477 of the Companies Act 2006 relating to small companies.
The LLP members have not required the partnership to obtain an audit of its accounts for the year in question in accordance with section 476. No audit has been obtained
The LLP members acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.
The income statement and directors report have not been delivered to the Registrar of Companies in accordance with the special provisions applicable to the small LLP regime.
Other Footnotes
None
Signature of Statement of Financial Position
Signed by
Designated MemberS.M Elizabeth on behalf of DAMELIZ COMMERCE LTD.
Approved by the members, 31 July 2026
Notes to the financial statements
at 31 October 2025
1. General Information
Dameliz LLP is a Limited liability partnership in the United Kingdom and registered in England and Wales.
Registered Office Address:
Dameliz LLP
C/O Shipra Berera, 202,
Highbury Stadium Square
London, England
N5 1FD
2. Basis of Preparation and Policies
The financial statements are prepared under the historical cost convention and in accordance with FRS 102 section 1A, the Financial Reporting Standard applicable in the UK and Republic of Ireland applicable to Smaller Entities.
After reviewing the company's forecasts and projections, the directors have a reasonable expectation that the company has adequate resources to continue in operational existence for the foreseeable future. The company therefore continues to adopt the going concern basis in preparing its financial statements.
Statement of Cash flows
Exempt from cash flow statement requirement : true
Accounting Policies
Turnover
Turnover represents revenue earned during the period, net of Value Added Tax.
Tangible fixed assets and depreciation
Tangible fixed assets are stated at cost less depreciation. Depreciation is provided at rates calculated to write off the cost less estimated residual value of each asset over its expected useful life, as follows:
Plant and machinery -- over a period of between 2 and 5 years straight line
Computer equipment -- over a period of 3 years straight line
Motor vehicles -- over a period of between 2 and 5 years straight line
The carrying values of tangible fixed assets are reviewed for impairment when events or changes in circumstances indicate the carrying value may not be recoverable.
Intangible fixed assets and amortisation
Intangible assets acquired separately from a business are capitalised at cost Intangible assets created within the business are not capitalised and expenditure is charged against profits in the year in which it is incurred.
Intangible assets are amortised on a straight line basis over their useful economic lives up to a maximum of 20 years. The carrying value of intangible assets is reviewed for impairment at the end of the first full year following acquisition and in other periods if events or changes in circumstance indicate that the carrying value may not be recoverable.
Other
3. Analysis of Debtors
Short term debtors : Trade Debtors
20252024
££
--
Short term debtors : Prepayments
20252024
££
-455
Short term debtors : Others
20252024
££
562,532841,708
4. Analysis of Creditors
Short term creditors : Trade Creditors
20252024
££
--
Short term creditors : Accruals/Deferred Income
20252024
££
--
Short term creditors : Bank Overdraft
20252024
££
--
Short term creditors : Other Loan/HP
20252024
££
--
Short term creditors : Corporation Tax
20252024
££
00
Short term creditors : VAT/Social Security
20252024
££
--
Short term creditors : Others
20252024
££
--
Long term creditors (incl. Directors Loans)
20252024
££
--
5. Tangible fixed assets
Land/BuildingsPlant MachineryFixts, Fittings, EquipmentComputer EquipmentVehiclesTotal
££££££
Cost
At 31 October 2024000000
Additions000000
Disposals(0)(0)(0)(0)(0)(0)
Revaluations000000
At 31 October 2025000000
Depreciation
At 31 October 2024000000
Charge for the year000000
Eliminated this year(0)(0)(0)(0)(0)(0)
At 31 October 2025000000
Net book value
At 31 October 202400000-
At 31 October 202500000-
6. Intangible fixed assets
GoodwillOtherTotal
£££
Cost
At 31 October 2024020,84020,840
Additions000
At 31 October 2025020,84020,840
Amortisation
At 31 October 2024000
Charge for the year000
Eliminated this year(0)(0)(0)
At 31 October 2025000
Net book value
At 31 October 2024020,84020,840
At 31 October 2025020,84020,840
7. Other Notes
The average number of employees in the year was 0 (Previous: 0)
End of Notes to Financial Statements